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Stripe

Treasury Finance Operations

TorontoOtherposted 12d agoSenior

Stripe is seeking a Senior Treasury Operations professional to join its Liquidity Management team, driving automation and operational excellence in treasury functions. This role offers the opportunity to work on critical financial infrastructure at a leading payments company.

Responsibilities

  • Support cash management processes including funding, cash position rebalancing, forecasting
  • Help manage settlement operations relating to FX and interest rate trading
  • Analyze and optimize funds flows across product/user requirements, costs, working capital, liquidity risk
  • Develop and implement Treasury Finance policies, procedures, risk assessment and controls
  • Iterate on metrics in partnership with Data Science to build observability of daily operational processes

About the role

Who we are About Stripe Stripe is a financial infrastructure platform for businesses. Millions of companies - from the world’s largest enterprises to the most ambitious startups - use Stripe to accept payments, grow their revenue, and accelerate new business opportunities. Our mission is to increase the GDP of the internet, and we have a staggering amount of work ahead.

That means you have an unprecedented opportunity to put the global economy within everyone's reach while doing the most important work of your career.

About the team Treasury Operations is integral to the strategy, execution and support of many of Treasury Finance’s core functionalities (cash management, investment management, payments processing, risk management and compliance). This role will reside within our Liquidity Management team and work closely with our Capital Markets and Capital Financial Risk Management teams.

What you’ll do At its core, Stripe is a Treasury company and we are building a top-notch Treasury Operations team to support our critical functions.

In addition to day-to-day operational support across the Treasury Finance functions, you will help drive the transformation towards more efficient and automated processes, helping build tools and systems to create operational excellence within each aspect of Treasury Operations.

You will also help to develop metrics to ensure we’re continuously improving our processes and infrastructure to support and scale new products with the goal of a world-class Treasury Operations function.

Responsibilities Support our cash management processes (including funding, cash position rebalancing, forecasting and other aspects of treasury operations) Help manage settlement operations relating to FX and interest rate trading, investigation of breaks and aged items, and bank partner relationship management in market Analyze and optimize funds flows across a number of areas including product/user requirements, costs, working capital, liquidity risk, and other constraints leveraging system solutions where possible Develop and implement Treasury Finance policies, procedures, risk assessment and controls across a number of operational functions Iterate on metrics in partnership with Data Science to build on observability of our daily operational processes Liaise with audit, risk and compliance team to ensure adherence to internal and external controls and regulatory reporting requirements Who you are We're looking for someone who meets the minimum requirements to be considered for the role.

If you meet these requirements, you are encouraged to apply. The preferred qualifications are a bonus, not a requirement. Minimum requirements 10+ years of Treasury experience, preferably within liquidity management, financial risk management and process improvements Strong problem-solving skills.

About Stripe

Visit stripe.com for more.